Ensure the accuracy and integrity of transactions and financial information.
Ensure collective high standards of performance from the team.
Communicate and allocate work requirements, priorities, expectations, and responsibilities. Guide/train team members on work procedures and systems.
Motivate team members to create a productive and cordial atmosphere that meets deadlines and achieves objectives.
Undertake analysis of/consolidation of reports, producing summary reports and analysis for higher management, internal/external Audit, Suppliers, Banks, and Customers.
Update financial records from physical inventory Reports/reconciliation.
Produce other specific or ad hoc reports as required.
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